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..CHAPTER..

2



Volume 2 (Technical Guidance) Page 2-1
CRITERIA FOR STORMWATER
DESIGN

2.1 Integrated Site Design Approach
2.1.1 Introduction
This chapter represents the requirements, policies and other guidance for stormwater management
design in Knox County. Included in this chapter are detailed design criteria to support Knox
Countys overall stormwater runoff quality and quantity management standards which are
presented in Volume 2, Chapter 1. The design criteria presented herein address the key adverse
impacts of stormwater runoff from a development site in Knox County. The purpose of the design
criteria is to provide a framework for design of the sites stormwater management system in order
to:

remove stormwater runoff pollutants and improve water quality;
prevent downstream streambank and channel erosion;
reduce downstream overbank flooding; and
safely pass or reduce the runoff from extreme storm events.

The Integrated Site Design (ISD) approach utilizes a set of design criteria that can be blended
together, enabling the site engineer to size and design structural stormwater controls to address all
of these objectives to achieve water quality and quantity goals. There are four criteria, one for each
of the goals above, which are summarized in Table 2-1 below.

Table 2-1. Summary of Stormwater Criteria
Sizing Criteria Description

Water Quality (WQv)
Treat the runoff from 85% of the rainfall events that occur in an
average year to a load reduction goal of 80% average annual post-
development total suspended solids (TSS).

Channel Protection
(CPv)
The runoff volume from the 1-year frequency, 24-hour storm must
be captured and discharged over no less than a 24-hour period in
order to provide channel protection for channels and streambanks
downstream from the new development.

Overbank Flood
Protection (Qp
25
)
Provide peak discharge control of the 2, 10 and 25-year return
frequency, 24-hour duration storm events such that the post-
development peak rate does not exceed the pre-development rate.

Extreme Flood
Protection (Qp
100
)
Provide peak discharge control of the 100-year return frequency,
24-hour duration storm event such that the post-development peak
rate does not exceed the pre-development rate.

Each of the stormwater sizing criteria is intended to be designed in conjunction with the others to
address the overall stormwater impacts from a development site. When used as a set, the criteria
control the range of design events, from the smallest runoff producing rainfalls to the 100-year



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storm. Figure 2-1 graphically illustrates the relative volume requirements of each of the design
criteria and demonstrates that the criteria are "stacked" within one another (i.e., the extreme flood
protection volume requirement also contains the overbank flood protection volume, the channel
protection volume and the water quality treatment volume).

Figure 2-1. Design Volume Nesting of Stormwater Criteria




















2.1.2 General Design Policies and Guidance
The following general requirements and policies shall apply to the design of all stormwater control
and conveyance facilities located in Knox County, including stormwater quality treatment facilities,
stormwater quantity control facilities, pipe systems, culverts, open channels, bridges, and other
stormwater conveyance system components.

1. Hydrologic and hydraulic computations shall be performed in accordance with NRCS (formerly
known as the Soil Conservation Service or SCS) unit hydrograph procedures using AMC II
curve numbers and Type II rainfall distribution, or other criteria that the Director of Engineering
and Public Works or his designee (henceforth called the Director) shall establish based on
scientific and engineering information.
2. All post-development conditions must be routed at appropriately small time intervals through
stormwater storage and drainage facilities using either hand calculations or computer models
that are widely accepted among engineering professionals. Detailed information on accepted
hydrologic and hydraulic calculation methods and procedures is presented in Volume 2,
Chapter 3 of this manual.
3. Other hydrologic and hydraulic computation methods may be approved by the Director in the
design of curb inlets and small pipe systems when the final result is verified by a SCS method.
4. All hydrologic and hydraulic computations utilized in the design of stormwater facilities must be
prepared by a registered engineer proficient in the field of hydrology and hydraulics and
licensed to practice engineering in the State of Tennessee.
5. The Director has the authority to require additional water quantity control standards, including
restrictions on peak velocity and/or runoff volumes or less frequent design events, in areas
where the Director has determined, through stormwater master plans, engineering studies,
Extreme
Flood Protection
Overbank Flood
Protection

Channel Protection
Water
Quality



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other regulatory water quality requirements, a history of existing or documented flooding or
erosion problems, or engineering judgment, that additional restrictions are needed to limit
adverse impacts of the proposed development downstream or upstream of the site.
6. The Director may waive or modify any of the stormwater system design criteria if adequate
water quality treatment, and/or channel protection, and/or overbank flooding, and/or extreme
flooding is suitably provided by a downstream or shared off-site stormwater facility, or if
engineering studies determine that installing the required stormwater facilities would not be in
the best interest of Knox County.

2.2 Stormwater Quality Management
2.2.1 General Requirements and Policies
The Knox County Stormwater Management Ordinance requires that stormwater runoff discharging
from new development or redevelopment sites be treated to remove pollutants prior to discharge
from the site. Minimum Standard #1 (Chapter 1) states that stormwater management systems
shall be designed to remove 80% of the average annual post-development total suspended solids
(TSS) load and be able to meet any other additional watershed or site-specific water quality
requirements. This standard is often referred to as the 80% TSS removal standard.

The Director has the authority to require additional treatment in specific areas of Knox County, to
conform to state and/or Federal regulatory requirements, and/or if (in the opinion of the Director)
the development or redevelopment has the potential to generate higher than normal pollutant
discharges.

It is presumed that a stormwater management system complies with the 80% TSS removal
standard if appropriate structural best management practices (BMPs) are selected, designed,
constructed and maintained in accordance with the design criteria specified in this manual. Only
those BMPs that are published in the Knox County Stormwater Management Manual are permitted
for use as a water quality treatment practice in Knox County. Other BMPs are prohibited, unless
approved by the Director.

2.2.2 Percent TSS Removal Values for Structural BMPs
The structural stormwater BMPs deemed acceptable for use in Knox County to attain the 80% TSS
removal standard are listed in Table 2-2, which presents the % TSS removal value assigned to
each BMP. This value must be used to calculate the total weighted % TSS removal for the
development site. The % TSS removal values assigned to each BMP are conservative median
pollutant reduction percentages for design purposes that have been derived from existing sampling
data, modeling and professional judgment. A structural BMP design may be capable of exceeding
these performances; however, the values in the table are median values that can be achieved over
time when the structural BMP is sized, designed, constructed and maintained in accordance with
required specifications in this manual. The actual % TSS removal value for a BMP in any single
storm event may be higher or lower, depending upon a number of factors, including the inflow
pollutant concentration, type of storm event, and maintenance condition of the BMP.

The structural BMPs listed in Table 2-2 fall into two categories (general application or limited
application) based upon the BMPs ability to meet stormwater management goals and/or its
maintenance requirements. Further discussion of these categories and detailed guidance on BMP
selection, design, construction, and maintenance are presented in Volume 2, Chapter 4 for each
BMP listed in Table 2-2.

2.2.2.1 Policies for New or Proprietary BMPs
There are many commercially available BMPs that provide water quality or quantity treatment
(e.g., Stormceptor, Vortechnics, etc.). Typically, such proprietary controls have high installation
and maintenance costs and requirements; and therefore, they are best suited for non-residential



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developments or redevelopments that have limited space for water quality or quantity treatment
using standard BMPs. This section describes the requirements that must be met for proprietary
BMPs to be approved for a given site.

Table 2-2. TSS Removal % for Structural BMPs
Structural BMP TSS Removal %
General Application BMPs
Wet Pond 80
Wet Extended Detention 80
Micropool Extended Detention Pond 80
Multiple Pond System 80
Dry Extended Detention Pond 60
Conventional Dry Detention Basins 10
Shallow Wetland 75
Extended Detention Shallow Wetland 75
Pond/Wetland System 75
Pocket Wetland 75
Bioretention Area 85
Sand Filters (Surface and Perimeter) 80
Infiltration Trench 90
WQ Dry Swales 90
Wet Swales 75
Filter Strip 50
Grass Channel
1
30
Gravity (oil-grit) Separator 30
Modular Porous Paver Systems
2
*
Porous Pavement/Concrete
2
*
Limited Application BMPs
Organic Filter 80
Underground Sand Filter 80
Submerged Gravel Wetland 75
Alum Treatment System 90
Proprietary Treatment Controls 10
3
Underground Detention 10
1 Refers to open channel practice not designed for water quality.
2 These practices are not treatment BMPs but are source control BMPs, so they
are not assigned a pollutant removal.
3 Provisional % TSS Removal value pending third party information.

Proprietary BMPs, new BMPs, or technologies that are not included in this manual may be
approved by the Director on a case-by-case basis for the treatment of stormwater quality. A TSS
removal percentage of 10% shall be used for such BMPs (if approved), or a higher percentage may
be approved provided that the three conditions listed below are met. Judgments of the above three
conditions shall be made by the Director after review of applicable information submitted by the site
designer. A poor performance record, high failure rate or unacceptably high maintenance
requirements are all valid justifications for not allowing the use of a proprietary system or device. It
is the responsibility of the developer to provide the Director with sufficient information to allow
modification of the % TSS removal value for any proprietary BMPs.



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12
A Rv P
WQv

=
1. The BMP or technology, as applied to the development or redevelopment on which it will be
used, meets the minimum standards and design criteria published in the Knox County
Stormwater Management Manual. The performance ability of the BMP must be verified by an
independent third party, in accordance with the monitoring criteria presented below. If the
performance ability of the BMP cannot be verified, the BMP will not be approved for purposes
of stormwater quality treatment.
2. The BMP or technology must have a proven record of operational longevity under hydrologic
conditions similar to what would be encountered in Knox County (rainfall, slope, soil types,
etc.).
3. The BMP or technology must have documented procedures for inspection and maintenance,
including the collection and removal of pollutants or debris. BMPs that have unacceptably high
maintenance requirements may not be installed within public rights-of way or on public
property.

The following monitoring criteria should be met for research/studies to support the three
acceptance conditions stated above:

Water quality treatment performance must be monitored for a minimum of fifteen (15) storm
events.
Water quality treatment performance research/monitoring must be conducted in the field, as
opposed to laboratory testing.
Field monitoring must be conducted using standard protocols which require proportional
sampling both upstream and downstream of the device. For guidance on testing protocols, see
"Stormwater Best Management Practices Demonstration Tier II Protocol for Interstate
Reciprocity" as developed under the Environmental Council of States (ECOS) and Technology
Acceptance and Reciprocity Partnership (TARP, 2001).
Pollutant concentrations reported in the study must be flow-weighted.
The proprietary system or device must have been utilized in place for at least one year prior to
the time of monitoring.
Although local data is preferred, data from other areas can be accepted as long as the design
accounts for the local hydrologic conditions.

2.2.3 Calculation of WQv and % TSS Removal
Compliance with the % TSS removal standard requires the calculation of the WQv and % TSS
removed for the entire development site. To obtain the lowest WQv for the site, this calculation
should be performed after better site design practices that may be envisioned for the site have
been considered and are included in design plans.

The WQv shall be calculated using Equation 2-1, as follows:


Equation 2-1

where:
WQv = water quality volume of the site (acre-feet);
P = rainfall depth for the 85% storm event (1.1 inches);
Rv = runoff coefficient; and,
A = site area (acres).




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The runoff coefficient (Rv) shall be calculated using Equation 2-2.

Equation 2-2

where:
HRI = percent impervious area of the site (see Equation 2-5 below).

The percent TSS removal (%TSS) that is achieved on a site can be calculated using Equation 2-3.
Equation 2-3 is an area-weighted TSS reduction equation which accounts for the TSS reduction
that is contributed from each stormwater treatment BMP that is utilized on the site.



Equation 2-3


where:
TSS
n
= TSS removal percentage for each structural BMP located on-site (%);
A
n
= the area draining to each BMP (acres).

Where BMPs are used in series, the total % TSS removal for the combination of two or more BMPs
shall be used for TSS
n
in Equation 2-3. Calculation of this value is discussed in the next section.

2.2.4 Calculation of % TSS Removal for BMPs in Series
It will often be the case that the site designer will want to use two or more BMPs (structural and/or
non-structural) in series, where stormwater treated in one BMP is discharged into another BMP for
further treatment. Such BMP combinations are also called treatment trains. How and why BMPs
might be used in treatment trains is discussed in Volume 2, Chapter 4 of this manual. This section
presents the calculation of the total % TSS removal for treatment trains.

Pollutant removal rates for BMPs used in a treatment train are not additive. For pollutants in
particulate form, such as TSS, the actual removal rate (expressed in terms of percentage of
pollution removed) varies directly with the pollution concentration and sediment size distribution of
runoff entering a facility. For example, a stormwater treatment pond will have a much higher
pollutant removal percentage for very turbid runoff than for relatively clear water. When two
stormwater ponds are placed in series, the downstream pond will treat an incoming TSS load that
is very different from the upstream pond. The upstream pond easily captures the larger solids, and
discharges an outflow that has a lower concentration of TSS, but with a relatively higher proportion
of fine particle sizes. Hence, the TSS removal capability of the downstream pond is considerably
less than the upstream pond. Recent studies suggest that the downstream pond in a series can
provide as little as half the removal efficiency of the upstream pond.

To calculate the total % TSS removal for a treatment train comprised of two or more structural
BMPs, Equation 2-4 shall be used.


Equation 2-4

where:
TSS
train
= total TSS removal for treatment train (%);
A = % TSS removal of the first (upstream) BMP, from Table 2-2 (%)
B = % TSS removal of the second (downstream) BMP, from Table 2-2 (%).

For development sites where the treatment train provides the only stormwater treatment on the
site, TSS
train
must be greater than or equal to 80%. For development sites that have other
I Rv + = 0092 . 0 015 . 0

+ + +
+ + +
=
1
2 1
1
2 2 1 1
) ... (
) ... (
%
n
n
n
n n
A A A
A TSS A TSS A TSS
TSS
100
) ( B A
B A TSS train

+ =



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structural BMPs for stormwater treatment that are not included in the treatment train, TSS
train
must
be included in Equation 2-3 in the calculation of the overall % TSS removal for the site. An
example application of the latter situation is presented below.

Lxample 2-J. Calculation of 1SS when 1reatment 1rains are Used

A stormwater management system located on a 30 acre deelopment site consists o a dry extended
detention pond, a water quality dry swale, and a shallow wetland. 1he extended detention pond and
dry swale are located in series, with the pond as the upstream control. 1he treatment train treats
stormwater runo rom 20 acres o the site. 1he shallow wetland treats 10 acres. All three acilities
are designed in accordance with the Knox County Stormwater Management Manual. \hat is the
1SS remoal rate or the site

1he 1SS remoal alue or each BMP located on the site is determined rom 1able 2-2, as ollows:

Control A ,dry extended detention pond, ~ 60 1SS remoal
Control B ,water quality dry swale, ~ 90 1SS remoal
Control C ,shallow wetland, ~ 5 1SS remoal

Step 1: Calculate 1SStrain:
1SStrain ~ A - B - ,A x B,,100 ~ 60 - 90 - ,60 X 90,,100 ~ 96 remoal

Step 2: Calculate 1SS remoal or the site:
1SS ~ ,,1SStrain x 20 acres, - ,1SSwetland x 10 acres,, 30 acres
1SS ~ ,,96 x 20 acres, - ,5 x 10 acres,, 30 acres ~ 89

1hereore, the 1SS remoal or the site is 89, which exceeds the minimum standard o 80 1SS
remoal. No other BMPs need to be constructed at the site.

2.2.5 The Measurement and Calculation of Percent Imperviousness
The percent impervious area (I) that is used to determine WQv is calculated using Equation 2-5.


Equation 2-5

where:
I
A
= cumulative area of all impervious surfaces on the site (acres);
A = site area (acres).

Impervious areas are defined in the Knox County Stormwater Management Ordinance as
impermeable surfaces which prevent the percolation of water into the soil including, but not limited
to, paved surfaces such as walkways, sidewalks, patios, parking areas and driveways, packed
gravel or soil, and rooftops. Other examples of impervious areas are paved recreation areas
including pool houses and pool decks intended for use as a private (multi-family) or public
recreation area, paved athletic courts (e.g., basketball, tennis), and storage buildings.

The determination of the impervious area (I
A
) in order to calculate WQv shall be performed in the
following manner:

1. For residential subdivisions that will be served by one or more shared stormwater facilities, I
A

shall be determined using percent (%) impervious values that were developed by the Soil
Conservation Service (SCS)
1
. Where the average lot size of a subdivision or a drainage area

1
The Soil Conservation Service is now known as the Natural Resource Conservation Service.
% 100 =
A
I
I
A



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within the subdivision falls between the lot size categories shown in Table 2-3, the site
designer may interpolate the % impervious value based on Table 2-3.
The values shown in Table 2-3 shall be utilized only for the portion of the subdivision that is
covered by individual residential lots and streets. Other areas, such as common areas for
recreation or meeting facilities, shall be added separately in the calculation of I
A
. The
calculation of the % impervious value for a residential subdivision having a common area is
presented in Example 2-2.

If lot sizes within a single subdivision fall into more than one of the lot size ranges listed in
Table 2-3, the site designer shall consider the total amount of imperviousness in each lot range
separately in the determination of the percent impervious value. Example 2-2 includes the
calculation of the % impervious value for a residential subdivision having variable lot sizes.

Table 2-3. % Impervious Area Values for Subdivisions
Residential Lot Size Range
1
% Impervious
acre or less 65
acre 38
acre 30
acre 25
acre 22.5
2

1 acre 20
2 acres and greater 15
1 Includes lots and streets. Common areas must be measured separately.
2 The % impervious value is interpolated from SCS data.

2. For all other developments and redevelopments, I
A
shall be determined from the measured
impervious footprints for all impervious areas as defined above. It is required that the footprint
for all impervious surfaces in the proposed development and the calculation of I
A
be shown in
the stormwater management plan.

After the development and/or redevelopment of the property is complete, property improvement
activities that do not require the submittal of a stormwater management plan will not require
recalculation of the impervious percentage and WQv.

Lxample 2-2. Calculation of Percent Impervious Area (I)

A site design engineer is preparing a stormwater management plan or a proposed residential
deelopment in Knox County. 1he subdiision has a total area o 31 acres, and will include 52
residential lots ranging in area rom approximately ' acre to no greater than 1 acre ,as shown in the
table below,. 1hree ,3, acres will be presered as an undisturbed orested water quality buer located
along a stream that crosses the property, and thereore, there is no imperious coerage within these
three acres. Another three ,3, acres will be utilized or a recreational common area which includes a
community pool, tennis courts and an associated parking lot. Due to local topography on the site, the
subdiision drains to two separate stormwater acilities, herein called lacility A and lacility B, both o
which proide stormwater quality treatment. 1wele acres, including the 3 acre water quality buer
and 3 acre common area, drain to lacility A. 1he other 19 acres drains to lacility B. 1he table below
proides lot size, area and imperious data or the proposed subdiision. \hat is the imperious
area or the site






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Volume 2 (Technical Guidance) Page 2-9
A B C D
Lot Size Number of Lots in
Size Range
Sub-total Area of
Lots in Size Range
Impervious
(from 1able 2-3)
DRAINAGL ARLA A (ARLA DRAINING 1O IACILI1Y A)
approx. acre 0 0 acres 30
approx. ' acre 0 0 acres 25
approx. acre 2 1.3 acres 22.5
approx. 1 acre 5 4. acres 20
Area A 1otals lots 6.0 acres --
DRAINAGL ARLA B (ARLA DRAINING 1O IACILI1Y B)
approx. acre 21 6.6 acres 30
approx. ' acre 16 .3 acres 25
approx. acre 4.3 acres 22.5
approx. 1 acre 1 0.8 acres 20
Area B 1otals 45 lots 19.0 acres --

Since the site will be sered by two separate detention acilities, it is best to determine the imperious
area or each drainage area, rather than the oerall imperious area or the site.

Step 1: Determine the total imperious area or the portion o each drainage area that is coered by
residential lots and associated subdiision roads ,I residential areas,:

1his is calculated by multiplying the sub-total area o each lot size range ,column C rom the
aboe table, by the corresponding imperious in that lot size range ,column D rom the
aboe table,. Results o this calculation are shown in the table below.

A B C D
Lot Size Sub-total Area of
Lots in Size Range
Impervious
(from 1able 2-3)
Sub-total
Impervious Area
DRAINAGL ARLA A (ARLA DRAINING 1O IACILI1Y A)
approx. acre 0 acres 30 0 x 0.30 ~ 0 ac
approx. ' acre 0 acres 25 0 x 0.25 ~ 0 ac
approx. acre 1.3 acres 22.5 1.3 x 0.225 ~ 0.29 ac
approx. 1 acre 4. acres 20 4. x 0.20 ~ 0.94 ac
Area A 1otals 6.0 acres -- 1.23 acres
DRAINAGL ARLA B (ARLA DRAINING 1O IACILI1Y B)
approx. acre 6.6 acres 30 6.6 x 0.30 ~ 1.93 ac
approx. ' acre .3 acres 25 .5 x 0.25 ~ 1.88 ac
approx. acre 4.3 acres 22.5 4.3 x 0.225 ~ 0.9 ac
approx. 1 acre 0.8 acres 20 0.8 x 0.20 ~ 0.16 ac
Area B 1otals 19.0 acres -- 4.94 acres




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1hus, the portions o the site where residential lots are located are coered by imperious
suraces as ollows:
IA residential areas ~ 1.23 acres
IB residential areas ~ 4.94 acres

Step 2: Measure the area o imperious ootprints in the common areas that are located in Area A ,IA
common areas,:

1he ollowing table presents the measurements o the imperious areas located in the
common area.
Area Description Impervious Area
Community pool ,includes pool, surrounding deck,
maintenance building and sidewalk rom parking lot,
0.8 acres
1ennis court ,includes two courts, surrounding paed
areas, and sidewalk rom parking lot,
1.2 acres
Common area drieway and parking lot 0. acres
1otal imperious areas 2. acres

1hus, 2. acres o the 3 acre common area, located in Area A, is coered by imperious
suraces. IA common areas ~ 2. acres

Step 3: Calculate the imperious area ,I, or each drainage area o the site using Lquation 2-5.
Because the water quality buer is entirely undisturbed, and thereore entirely perious, it is not
considered in the calculation.

lor Area A:
IA ~ ,,IA residential areas - IA common areas, 12 acres, X 100
IA ~ ,,1.23 acres - 2. acres, 12 acres, X 100
IA ~ ,3.9 acres 12 acres, X 100
IA ~ 32.8

lor Area B:
IB ~ ,IB residential areas 19 acres, X 100
IB ~ ,4.94 acres 19 acres, X 100
IB ~ 26.0

1hereore, the imperious area or Area A ,IA, or the site is 32.8. 1he imperious area or
Area B ,IB, is 26.0. 1hese alues are utilized in Lquation 2-2 to determine the alues o R which
will then be used in Lquation 2-1 to ind the \Q or each stormwater quality treatment BMP on the
site.

2.2.6 Reducing the WQv
One of the key points to remember when calculating WQv is that it is proportional to impervious
area, such that the amount of stormwater runoff required for treatment increases as impervious
area increases. In other words, the more you pave, the more you treat. Therefore, to reduce the
amount of stormwater runoff that must be treated, the developer must find ways to reduce site
imperviousness. Reductions in imperviousness are beneficial from a stormwater management
standpoint. Decreases in impervious area equate to less runoff, lower post-development peak
discharges, and typically lower pollutant discharges. This can result in lower stormwater



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management costs, as structural BMPs, channel protection, and flooding protection controls can be
smaller in size.

In order to reduce the WQv for a development site, Knox County encourages the use of better site
design practices. Better site design can be defined as a combination of non-structural design
approaches intended to reduce the impacts of stormwater runoff from development through the
conservation of natural areas, reduction of impervious areas, and integration of stormwater
treatment BMPs. Such practices are often referred to as non-structural practices or BMPs. By
implementing a combination of these non-structural approaches, it is possible to reduce the amount
of runoff and pollutants that are generated from a site and provide for some non-structural on-site
treatment and control of runoff.

Knox County does not require the use of better site design practices on a development or
redevelopment site to attain the 80% TSS removal standard. However, in accordance with
Minimum Standard #2 (Chapter 1), a strong incentive for the use of such practices is provided via
the WQv method and through WQv credits. The basic premise of the credit system is to recognize
the water quality benefits of certain site design practices by allowing for a reduction in the WQv.
The WQv credits that are available in Knox County are listed in Table 2-4. Detailed policies and
design requirements for credits and better site design practices are presented in Volume 2,
Chapter 5 of this manual.

Table 2-4. Summary of WQv Credits
Credit Description
Credit 1:
Natural area preservation
Undisturbed natural areas are conserved, thereby
retaining the pre-development hydrologic and water
quality characteristics.
Credit 2:
Managed area preservation
Managed areas of open space are preserved, reducing
total site runoff and retaining near pre-development
hydrologic and water quality characteristics.
Credit 3:
Stream and vegetated buffers
Stormwater runoff is treated by directing sheet flow
runoff through a naturally vegetated or forested buffer as
overland flow.
Credit 4:
Vegetated channels
Vegetated channels are used to provide stormwater
treatment.
Credit 5:
Impervious area disconnection
Overland flow filtration/infiltration zones are incorporated
into the site design to receive runoff from rooftops and
other small impervious areas.
Credit 6:
Environmentally sensitive large
lot neighborhood
A group of site design techniques are applied to low and
very low density residential development.

2.3 Channel Protection (CPv)
2.3.1 Background
The increase in the frequency, velocity, and duration of bankfull flow conditions in stream channels
after a rainfall event is the primary cause of streambank erosion. Such erosion is common in Knox
County, usually in channels and streams where the cumulative effect of development has caused
lengthy, increased post-rainfall discharges. The sediment released as a result of streambank



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erosion is a likely major source of sediment pollutant loads in Knox County streams. Excessive
sediment can impact a streams ability to remain ecologically viable and provide a healthy habitat
for aquatic species.

Streambank erosion can cause damaging hydraulic changes in a stream, including excessive
widening, deepening, and undercutting. Figure 2-2 presents an example of this problem located on
a tributary to Ten Mile Creek in west Knox County. Such changes can be detrimental to the ability
of the stream to remain hydraulically stable in the long-term. Moreover, streambank erosion is a
common source of complaints from citizens that experience property damage due to fallen trees or
outbuildings, or property loss due to widening streams.



2.3.2 Design Criteria and Policies
Knox County requires all developments and redevelopments to adhere to channel protection
criteria (Minimum Standard #3), herein called the channel protection volume (CPv). This standard
requires that the runoff volume from the 1-year frequency, 24-hour storm be captured and
discharged over no less than a 24-hour period. In the design of the channel protection control, the
24-hour release period shall be measured from the approximate center-of-mass of inflow to the
approximate center-of-mass of outflow.

Downstream channel protection provided by an alternative approach may be considered in lieu of
controlling the CPv, provided that sufficient hydrologic and hydraulic analysis shows that the
alternative approach will offer adequate channel protection from erosion. Downstream channel
protection provided by an alternative approach must be approved by the Director.

Figure 2-2. Example of Significant Streambank Erosion



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2.4 Stormwater Quantity Management
This section addresses the design criteria and policies associated with Knox Countys requirements
for overbank protection and extreme flood protection. This section also presents justification,
policies and requirements for the downstream impact analysis.

2.4.1 Overbank Flood Protection Criteria (Qp
25
)
Minimum Stormwater Management Standard #4 establishes overbank flood protection design
criteria (Qp
25
). The purpose of Qp
25
is to prevent an increase in the frequency and magnitude of
damaging out-of-bank flooding (i.e., flow events that exceed the capacity of the channel and enter
the floodplain). It is intended to protect downstream properties from flooding during and after
middle-frequency storm events.

The Qp
25
criteria requires that the calculated peak discharge of stormwater runoff resulting from the
2-year, 10-year, and 25-year return frequency, 24-hour duration storm events be no greater after
development or redevelopment of the site than that which would result from the same 2-year, 10-
year, and 25-year return frequency, 24-hour duration storms on the same site prior to development
or redevelopment. Hydrologic calculation methods for Qp
25
are provided in Volume 2, Chapter 3.

Typically, peak discharge control is achieved through detention of runoff for the design events;
however, Knox County does not mandate the use of detention facilities. It should be noted that the
smaller design events (e.g., 2-year and 10-year) are often effectively controlled through the
combination of the required channel protection (CPv) control (i.e., extended detention of the 1-year
event) and the control of the 25-year frequency event.

2.4.2 Extreme Flood Protection (Qp
100
)
The intents of Minimum Standard #5, also called the extreme flood protection design criteria
(Qp
100
), are to:

prevent flood damage from infrequent, but large, storm events;
maintain the boundaries of the mapped 100-year floodplain; and,
protect the physical integrity of the structural stormwater BMPs as well as downstream
stormwater and flood control facilities.

The Qp
100
criteria requires that the calculated peak discharge of stormwater runoff resulting from a
100-year frequency, 24-hour duration storm be no greater after development or redevelopment of
the site than that which would result from a 100-year frequency, 24-hour duration storm on the
same site prior to development or redevelopment. In addition, all drainage systems shall be
designed to insure that no habitable finished floor elevations are flooded for the 100-year frequency
storm. Pipes and culverts designed for a 100-year storm shall be constructed of reinforced
concrete if such pipes or culverts lie in public lands or easements.

Design of stormwater systems that will include extreme flood protection controls must route the
Qp
100
through the drainage system and stormwater management facilities to determine the effects
on the facilities, adjacent property, and downstream areas. Emergency spillways of structural
BMPs must be designed appropriately to safely pass the Qp
100
.

Further guidance on hydrologic analysis and design for the Qp
100
criteria is provided in Volume 2,
Chapter 3.




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Volume 2 (Technical Guidance) Page 2-14
2.4.3 Downstream Impact Analysis
2.4.3.1 Background
The Qp
25
and Qp
100
flood protection criteria require the design to control peak discharges at the
outlet of a site, such that the post-development peak discharge does not exceed the pre-
development peak discharge. Typically, this peak discharge control is achieved through
construction of one or more on-site detention facilities. However, stormwater master plans
developed for a number of Knox County watersheds indicate that peak discharge control does not
always provide effective water quantity control from the site, and may actually exacerbate flooding
problems downstream of the site. Moreover, master plans have shown that a development sites
location within a watershed may preclude the requirement for overbank flood control from a
particular site.

A major reason for negative impacts due to detention involves the timing of the peak discharge
from the site in relation to the peak discharges in the receiving stream and/or its tributaries. If
detention structures are indiscriminately placed in a watershed without consideration of the relative
timing of downstream peak discharges, the structural control may actually increase the peak
discharge downstream. An example of this situation is presented in Figure 2-3, which shows a
comparison of the total downstream flow on a receiving stream (after development) with and
without detention controls. In Figure 2-3, the smaller dashed-dot and solid lines denote the runoff
hydrograph for a development site with and without detention, respectively. These runoff
hydrographs will combine with a larger runoff hydrograph of the receiving stream (not shown). The
combined discharges from the site and receiving stream are shown in the larger solid and dashed
lines.

Figure 2-3 conveys a possible consequence of detention. The post-development flow from the site
is reduced as required by flood protection design criteria to result in the detained flow (the smaller
dashed-dot hydrograph). However, the timing of the peak discharge for the detained post-
development flow, while reduced in magnitude, corresponds more closely with the timing of the
peak discharge of the receiving stream (not shown) than the peak discharge of the post-
development flow that was not detained. Therefore, the combination of the detained flow with the
flow in the receiving stream is actually higher than would occur if no detention were required, as
shown in the larger dashed hydrograph. Hence, there is a peak flow increase that is caused by
detention.

Poor peak discharge timing can have an even greater impact when one considers all the
developments located in a watershed and the cumulative effects of increases in runoff volume and
the duration of high volume runoff in the channel, as well as peak discharge timing. Even if peak
discharges are handled effectively at the site level and immediately downstream, the longer
duration of higher flows due to the increased volume from many developments located on or near a
stream may combine with downstream tributaries and receiving streams to dramatically increase
the downstream peak flows.

Figure 2-4 illustrates this concept. The figure shows the pre- and post-development hydrographs
at the confluence of two tributaries. Development occurs, meets the local flood protection criteria
(i.e., the post-development peak flow is equal to the pre-development peak flow at the outlet from
the site), and discharges to Tributary 1. When the post-development detained flow from Tributary 1
combines with the first downstream tributary (Tributary 2), it causes a peak flow increase when
compared to the pre-development combined flow. This is due to the increased volume and timing
of runoff from Tributary 1, relative to the peak flow and timing in Tributary 2. In this case, the
detention volumes on Tributary 1 would have to have been increased to account for the
downstream timing of the combined hydrographs to mitigate the impact of the increased runoff
volume.



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Volume 2 (Technical Guidance) Page 2-15
Figure 2-3. Potential Effect of On-Site Detention on Receiving Streams


Figure 2-4. Potential Effect of Cumulative Detention Ponds

Potential problems such as those described above are quite common, but can be avoided through
the use of a stormwater master plan and/or downstream analysis of the effects of a planned
development. Studies have shown that if a developer is required to assess the impacts of a
development downstream to the point where the developed property is 10% of the total drainage
area, and there are no adverse impacts (i.e., stream peak discharge increases), then there is
assurance that there will not be significant increases in flooding problems further downstream. For
example, for a 10-acre site, the assessment would have to take place down to a point where the
total accumulated drainage area is 100 acres.

While this assessment does require some additional labor on the part of the design engineer, it
allows smart stormwater management within a watershed. The assessment provides the
developer, Knox County and downstream property owners with a better understanding (and
corresponding documentation) of the potential downstream impacts of development. In turn, this
information identifies those developments for which waivers or reductions in the flood protection
requirements may prove beneficial.



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Volume 2 (Technical Guidance) Page 2-16
2.4.3.2 Regulations and Policies
Regulations and policies pertaining to the downstream impact analysis are listed below.

1. In accordance with Minimum Standard #6 (Chapter 1), downstream impact analysis shall be
required for all developments and redevelopments for which a stormwater management plan is
required. The analysis shall determine if the proposed development or redevelopment causes
an increase in peak discharge as compared to pre-development runoff rates for the same site,
or has the potential to cause downstream channel and streambank erosion. This analysis
must be done for the 2-year, 10-year, 25-year and 100-year return frequency, 24-hour duration
storm events, at the outfall(s) of the site, and at each downstream tributary junction and each
public or major private downstream stormwater conveyance structure to the point(s) in the
stormwater system where the area of the portion of the site draining into the system is less
than or equal to 10% of the total drainage area above that point.
2. If the downstream impact analysis shows that the development or redevelopment causes an
increase in peak discharges, downstream flood protection shall be provided such that the
calculated peak discharges for the 2-year, 10-year, 25-year and 100-year return frequency, 24-
hour duration storm events after development of the site are not greater than that which would
result from the same duration storms in the same downstream analysis area prior to
development or redevelopment. These criteria must be applied throughout the 10%
downstream analysis area
3. Downstream flood protection can be provided by downstream conveyance improvements
and/or purchase of flow easements in lieu of peak discharge controls subject to prior approval
by the Director and satisfaction of the following requirements:
(1) Sufficient hydrologic and hydraulic analysis must be presented that shows that the
alternative approach will offer adequate protection from downstream flooding for all
potentially affected downstream property owners.
(2) The applicant is responsible for submittal and approval of any necessary CLOMR prior to
construction, and a LOMR upon completion of construction.
(3) The applicant is responsible for all State and Federal permits that may be applicable to the
site including TDEC NPDES and ARAP permits, US Army Corps of Engineers Section
404 permits, and TVA Section 26A permits.
4. Developments and redevelopments that do not cause an increase in peak discharges are not
exempt from conformance with the minimum standards for water quality treatment (WQv) and
channel protection (CPv), presented earlier in this chapter.
5. The downstream analysis should be performed after any WQv credits for better site design
practices have been taken into consideration in the calculation of peak discharges leaving the
site. While there are no credits for flood protection criteria, the use of better site design
practices will inherently reduce runoff volumes and potentially reduce post-development peak
discharges, both on-site and downstream of the site.
6. The data and results of the downstream analysis must be presented to Knox County
Engineering as part of the stormwater management plan.

2.5 Stormwater Conveyance Design
2.5.1 General Criteria
The components of the stormwater conveyance system, excluding the treatment and flood control
facilities discussed in the previous sections, include pipe systems, culverts, open channels, and
bridges. Design criteria that are specific to each of these components are presented in the
following sections. General design criteria that are applicable to all of these components are
presented below.



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Volume 2 (Technical Guidance) Page 2-17
1. The design of the stormwater system, excluding stormwater management facilities for water
quality treatment, channel protection, and overbank, extreme, and downstream flood protection
shall be based on the 25-year frequency storm event unless otherwise specified by the
Director. This criterion shall be applied to both closed conduit and open channel components.
Minor systems that discharge to sinkholes must be designed to safely carry the 100-year
frequency storm event.
2. All drainage systems shall be designed to insure that no habitable finished floor elevations are
flooded for the 100-year frequency storm, and that no structures are located within the vertical
projection of the 10-year floodplain line (i.e. located within the 10-year floodplain). Pipes and
culverts designed for a 100-year storm shall be constructed of reinforced concrete if such pipes
or culverts lie in public lands or easements.
3. Off-site runoff must be taken into account in the design of stormwater components if such
runoff could affect the street that the stormwater system is serving.
4. Pipes or culverts that carry public water under pavement surfaces, and any pipe, culvert, or
drainage system dedicated to Knox County, a private individual or a Homeowners Association,
whether inside or outside the right-of-way, can be constructed of reinforced concrete, high-
density polyethylene (HDPE) or corrugated metal, subject to the approval of the Director. It
shall be the responsibility of the property owner to provide all necessary design, data, and
installation details for construction to ensure failure will not occur, and prevent flooding or
potential property damage on adjacent properties or rights-of-way.

2.5.2 Pipe Systems
Stormwater pipe systems, also called storm drains, are pipe conveyances that are designed to
collect and transport surface stormwater through drainage inlets and convey that water through
closed conduits to outfalls at structural stormwater BMPs and receiving waters. The conduit
system is comprised of different lengths, material types, shapes, and sizes of storm drain pipes
which are connected by appurtenant structures such as manholes, junction boxes, or other
miscellaneous structures. Stormwater pipe systems are sometimes referred to as storm sewers.
To some people, such terminology implies that the stormwater system is the same as the
wastewater (i.e., sewage) system. It is important in Knox County not to confuse the two systems:
the stormwater system collects and transports stormwater drainage only, while sewage is carried
via a different closed conduit system.

To the degree feasible, Knox County encourages the use of natural drainageways and/or properly
vegetated open channels for stormwater runoff conveyance. Prior to design of a new development
or redevelopment site, the use of the better site design practices (and corresponding site design
credits) that are discussed in Chapter 5 of this manual should be considered to reduce the overall
length of a piped stormwater conveyance system. However, pipe drain systems are necessary in
many areas to ensure the safe collection and conveyance of stormwater away from habitable
structures and streets. Pipe systems are suitable mainly for medium to high-density residential and
commercial/industrial development where the use of natural drainage ways and/or vegetated open
channels is not feasible.

Piped stormwater systems should be designed to ensure that storms in excess of pipe design flows
can be safely conveyed without damaging structures or flooding major roadways near to the
system and downstream. This is often done through design of both a major and minor drainage
system. The minor (piped) system carries the mid-frequency design flows while larger runoff
events may flow across lots and along streets as long as it will not cause property damage or
impact public safety.

Pipe systems for stormwater runoff must be designed and constructed in accordance with the
criteria listed below. Guidance on the design of storm drain pipe systems is given in Volume 2,
Chapter 7.



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Volume 2 (Technical Guidance) Page 2-18
1. Pipe systems serving local, collector and arterial streets must keep one ten (10) foot lane of
traffic open in each direction for the 25-year design storm, and the 100-year storm shall be
contained within the right-of-way. In pipe systems serving local roads, a ten (10) foot lane is
allowed at inlets.
2. The minimum easement width for public piped stormwater systems that are located less than
twelve (12) feet below the ground surface shall be twenty (20) feet. For piped stormwater
systems that are located twelve (12) feet or more below the ground surface, the minimum
easement width shall be thirty (30) feet.
3. The minimum acceptable diameter for any public storm drain is fifteen (15) inches or equivalent
arch pipe.
4. When connecting into an existing storm drain system, the existing storm drain systems shall be
analyzed to determine available capacity.
5. New storm drains and manholes shall not be located under existing or future curb and gutter or
sidewalk, whenever possible.
6. For ordinary conditions, storm drain pipes should be sized on the assumption that they will flow
full or practically full under the design discharge but will not be placed under pressure head.
The Manning Formula is recommended for capacity calculations.
7. The minimum desirable physical slope should be 0.5% for concrete or smooth wall plastic
(HDPE) and 1.0% for corrugated metal pipe (CMP), or the slope that will produce a velocity of
3.0 feet per second when the storm sewer is flowing full, whichever is greater.
8. The hydraulic grade line for the 25-year design storm for any piped stormwater system shall
remain below the elevation of the ground surface.

2.5.3 Roadway Culverts
A culvert, sometimes called a cross drain, is a short, closed (covered) conduit that conveys
stormwater runoff under an embankment, usually a roadway. The primary purpose of a culvert is
to convey surface water. If designed properly, culverts may also be used to restrict flow and
reduce downstream peak flows. On a development site, culverts are typically aligned with ditches,
swales, and open channels which serve as primary drainageways that carry stormwater to more
regional stormwater collection systems. In addition to the hydraulic function, a culvert must also
support the embankment, roadway, or other structure under which it lies, and protect traffic and
adjacent property owners from flood hazards.

Culvert design is influenced by purpose, hydraulic efficiency, site topography, effects on adjacent
property, and cost. The most critical aspect of culvert design is the determination of stable and
predictable performance of the culvert during all possible flows. This can be best determined when
the type of flow (i.e., weir, orifice, or pipe) is known. The relationship between head and discharge
can be determined using equations for weir flow, orifice flow or pipe flow.

Culverts must be designed and constructed in accordance with the criteria listed below. Further
guidance on culvert design is contained in Volume 2, Chapter 7.

1. All culverts shall be designed for the 25-year design storm. The design engineer shall ensure
that the culvert does not cause flooding of nearby structures in the 100-year design storm.
2. All culverts shall be hydraulically designed to determine whether inlet and outlet control
conditions govern for the design storm discharge(s).
3. Culverts shall be located and designed to present a minimum hazard to traffic, persons, and
property. Projecting ends shall not be permitted for culverts intended to become public.



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4. Survey and resource information should include topographic features, channel characteristics,
aquatic life, riparian habitat, high-water information, existing structures, and other related site
specific information, as applicable.
5. Roadway culverts shall be designed to accommodate debris or proper provisions shall be
made for debris maintenance. Where practicable, some means shall be provided for personnel
and equipment access to facilitate maintenance.
6. Material selection shall include consideration of service life, hydraulic efficiency, and
maintenance and shall not be made using initial cost as the sole criteria.
7. Low water or at-grade, dip crossings of FEMA designated/mapped washes or other riverines
are not permitted for public or private roadways which serve as the primary access to a
development or single family residence.
8. Culvert or bridge crossings of FEMA designated/mapped washes shall be analyzed with HEC-
2 Water Surface Profiles, HEC-RAS, or a pre-approved equal model. It must be demonstrated
and certified by the engineer that there will be no increases on the base flood elevations(s)
and/or limits upstream or downstream of the crossing.
9. Performance curves shall be developed for all public culverts for evaluating hydraulic capacity
versus various headwater depths, outlet velocities, and scour depths.
10. The culvert length and slope shall be chosen to approximate existing topography, and to the
degree practicable, the culvert shall be aligned with the channel bottom and the skew angle of
the watercourse. Multiple barrel culvert crossings should fit onto the natural channel cross-
section with minimal widening of the channel so as to avoid conveyance loss and sediment
deposition.
11. Multiple barrel culverts shall be avoided where the approach velocity is high, particularly
supercritical, to avoid adverse hydraulic jump effects.
12. The minimum velocity through a culvert should be three (3) feet per second when the culvert is
flowing partially full.

2.5.4 Open Channels
The design of open channel systems, particularly for development sites utilizing better site design,
is an integral part of an overall drainage plan. An open channel is defined as a conveyance in
which water flows with a free surface. Open channels can be either natural or artificial. Natural
channels will typically consist of a compound cross section comprised of a low flow channel and
the adjacent overbank floodplain. Artificial channels typically include roadside channels, irrigation
ditches, and swales which have a general geometric cross section and can be either lined or
unlined. An example of a typical compound cross-section channel and a typical trapezoidal
channel is presented in Figure 2-5.

The three main classifications of open channel types according to channel linings are vegetated,
flexible and rigid.

2.5.4.1 Vegetated Linings
Vegetated linings include grass with mulch, sod and lapped sod, and wetland channels.
Vegetation, where practical, is the most desirable lining for an artificial channel because it can
provide stability for the channel body, consolidate the soil mass of the bed, prevent erosion from
the channel surface, and provide habitat and water quality benefits. Chapters 4 and 5 of Volume 2
of this manual provide guidance for the design of enhanced swales and grass channels for water
quality treatment purposes. This section provides guidance solely for the purpose of stormwater
conveyance.



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Figure 2-5. Typical Channel Sections
(top - compound x-section, bottom- trapezoidal x-section)

Conditions under which the use of vegetated linings may not be acceptable include, but are not
limited to areas where:

high flow velocities are anticipated;
a permanent or semi-permanent standing pool of water is anticipated;
water will flow continuously (e.g., a conveyance channel that also serves as a landscaped
waterway for a continuously flowing waterfall or pond);
regular, necessary maintenance to prevent the growth of undesirable vegetation will not be
available;
there is a lack of nutrients and/or inadequate topsoil to properly sustain the vegetated lining; or
there is excessive shade

Proper seeding, mulching and soil preparation are required during construction to assure
establishment of healthy vegetation. Long-term regular maintenance is necessary to ensure the
long-term proper operation and stability of the channel.

2.5.4.2 Flexible Linings
Rock riprap, including rubble, is the most common type of flexible lining for channels. It presents a
rough surface that can dissipate energy and mitigate increases in erosive velocity. These linings



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are usually less expensive than rigid linings and have self-healing qualities that reduce
maintenance. However, they may require the use of a filter fabric depending on the underlying
soils, and the growth of grass and weeds may present maintenance problems.

2.5.4.3 Rigid Linings
Rigid linings are generally constructed of concrete and used where high flow capacity is required.
Higher velocities, however, create the potential for scour at channel lining transitions and channel
headcutting.

2.5.4.4 Design Criteria
The principles of open channel flow are the same regardless of the channel type. Flow
classifications are generally categorized as steady or unsteady, uniform or varied, and subcritical or
supercritical. Open channels must be designed and constructed in accordance with the criteria
listed below. Further guidance on open channel design is contained in Volume 2, Chapter 7.

1. Open channels shall be designed to follow natural drainage alignments whenever possible.
2. All channels which are to be maintained by Knox County must be dedicated to the County
either in fee title or granted as a drainage easement. Vegetated channels that are eligible to
gain water quality volume (WQv) credits for stormwater treatment must be granted to the
County as a water quality easement.
3. Channels with bottom widths greater than 10 feet shall be designed with a minimum bottom
cross slope of 12 to 1, or with compound cross sections.
4. Channel side slopes shall be physically stable throughout the entire length and side slope shall
depend on the channel material. A maximum of 2:1 should be used for channel side slopes,
unless otherwise justified by calculations. Roadside ditches should have a maximum side
slope of 3:1.
5. Trapezoidal cross sections are preferred over triangular shapes for artificial channel designs.
6. The design of artificial channels shall consider the frequency and type of maintenance required
and makes allowance for access of maintenance equipment.
7. For vegetative channels, flow velocities within the channel should not exceed the maximum
permissible velocities stated in Chapter 7.
8. Channel banks shall be left in a stabilized condition upon completion of the project. No actively
eroding, bare or unstable vertical banks shall remain unless the Director has determined there
is no better alternative.
9. If relocation of a stream channel is unavoidable, the cross-sectional shape, meander, pattern,
roughness, sediment transport, and slope should conform to the existing conditions to the
extent practicable. Some means of energy dissipation may be necessary when existing
conditions cannot be duplicated. Unless proper authorization is obtained from Knox County
and the adjacent property owner(s), open channels must enter and exit a site where the
channel historically flows. Knox County is not responsible for obtaining any State and/or
Federal permits that may be applicable to channel relocation on a development or
redevelopment site.

2.5.5 Outlet Protection
Storm system conveyance outlets, whether open channels or pipe systems, are critical locations of
erosion potential. High exit velocities and flow expansion turbulence often result in local scour,
channel degradation, and conduit failure. Often, the stormwater transported by man-made
conveyances reaches velocities that exceed the capacity of the receiving channel or area to resist
erosion. In order to prevent scour at stormwater outlets, protect the outlet structure and minimize



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the potential for downstream erosion, a flow transition structure (energy dissipater) is needed to
absorb the initial impact of flow and reduce the speed of the flow to a non-erosive velocity. Often,
such dissipaters are relatively inexpensive to install, such as a rip rap apron, a stilling basin or a
baffled outlet.

Design guidance on energy dissipaters is presented in Volume 2, Chapter 7. Design criteria for
outlet protection are as follows:

1. Energy dissipaters shall be utilized wherever the velocity of flows leaving a stormwater
management facility exceed the erosion velocity of the downstream channel system. When
utilized, such devices shall provide uniform redistribution (spreading out) of the flow without
creating excessive turbulence in order to protect downstream areas from erosion.
2. Rip rap basins, stilling basins, or concrete energy dissipaters can be utilized to reduce high
velocity outlet flows to within acceptable limits.

2.5.6 Gutters & Inlets
The design of the roadway drainage system is essential to traffic safety and roadway level of
service. Excess water on the roadway can be hazardous to not only vehicular traffic but
pedestrians as well. Poor roadway drainage can increase the potential for hydroplaning, limit
visibility due to excessive splashing and spray, and cause loss of steering control when puddles
are encountered.

Street drainage requires consideration of surface drainage, gutter flow, and drainage inlet capacity.
The design of these components is dependent upon the design frequency and the allowable
spread of stormwater on the pavement surface. Surface drainage is a function of transverse and
longitudinal pavement slope, pavement roughness, inlet spacing, and inlet capacity.

General design criteria for gutters and inlets are provided below. Design specifications are
provided in greater detail in Volume 2, Chapter 7.

1. Street drainage and roadways shall be designed so as to maintain the natural drainage
patterns existing prior to development, whenever possible.
2. The street section shall be designed to convey local runoff only and shall not be used as major
stormwater carriers for contributing watersheds.
3. Drainage facilities shall be installed to convey runoff under streets or street grades shall be set
so diversion of runoff or ponding will not occur on adjacent properties.
4. Street slopes (longitudinal and transverse) and curb heights shall not be increased to create
more carrying capacity for runoff. Curb overtopping is not permitted for the specified design
storm.
5. Drainage facilities shall be placed to intercept runoff from sources outside the street section to
avoid significant concentrated flows onto and over sidewalks or curb and gutter.
6. In all cases, street drainage shall be confined to the public right-of-way. Runoff which leaves
the right-of-way shall do so in a controlled manner and shall be contained in appropriate right-
of-way or drainage easement.

2.6 Bridge Requirements
A bridge is defined as a structure that transports vehicular traffic over a watercourse or other
obstruction, including the approach roadway over the floodplain and the relief openings. A bridge
typically has a minimum span length of twenty (20) feet. Bridge hydraulics is very important in
determining water surface profiles for use in flood studies, stream design, stream stability and



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scour evaluations. General design criteria for bridges are provided below. Design specifications
are provided in greater detail in Volume 2, Chapter 7.

1. Bridge analysis, design and construction shall conform to the pertinent floodplain development
regulations that are contained in the Knox County Stormwater Management Ordinance and the
Knox County Flood Protection Ordinance.
2. The final design selection for any bridge shall consider the maximum backwater allowed by the
Knox County floodplain regulations unless exceeding the limit can be justified by special
hydraulic conditions. Backwater shall not increase flood damage to upstream property.
3. The final design shall not significantly alter the flow distribution in the floodplain and whenever
possible, bridge structures should be designed so that there is little or no disturbance to the
flow. Velocities through the structure shall not damage either the roadway facility or increase
damages to adjacent property.
4. The "crest vertical curve profile" should be considered as the preferred roadway crossing
profile when allowing for embankment overtopping at a lower discharge.
5. Degradation or aggregation of the watercourse as well as contraction and local scour shall be
estimated, and appropriate positioning of the foundation, below the total scour depth if
practicable, shall be included as part of the final design.
6. Bridges should be designed to minimize disruption of ecosystems and values unique to the
floodplain and channel being crossed.




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References

Technology Acceptance and Reciprocity Partnership (TARP). Protocol for Stormwater Best
Management Practice Demonstrations. 2001.

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